US Debt Fixed Income Gateway Investments

Summary

Structured finance, mezzanine, and pledged positions designed to provide a fixed-rate total return through a combination of interest payments and the repayment of principal over a 24 to 60 month holding period.

Objective

Preservation of principal secured by commercial real estate assets or pledged partnership interests coupled with attractive interest income generated from operations or an interest reserve and other credit enhancements.

Approach

This EastAlliance debt platform seeks opportunities to invest in well-positioned and well-located real estate assets that boast a combination of either stabilized cash flows and tenancy or, unique value-add upside potential. In all cases, project cash flow, investment cost basis, residual value, loan-to-value, position in the capital stack, exit strategy, and borrower experience are carefully considered.

To view examples of recent investments, please visit our Case Studies page or select any of the summaries listed below.